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DRSHF

DroneShield Limited

Price Chart
Latest Quote

$1.91

-0.07 (-3.79%)
Current Price
Previous Close $1.98
Open $1.94
Day High $1.94
Day Low $1.94
Volume 100
Fetched: 2026-06-19T12:21:07
Stock Information
Note: Financial values converted from AUD to USD
Shares Outstanding 923.25M
Total Debt $10.00M
Cash Equivalents $146.97M
Revenue $152.11M
Net Income $2.47M
Sector Industrials
Industry Aerospace & Defense
Market Cap $1.76B
Exchange PNK
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📊 Comprehensive Analysis
Company Data
Enterprise Value$1.63B
Sales$152.11M
Income$2.47M
Book/sh$0.26
Cash/sh$0.23
Employees450
Financial Ratios
Quick Ratio4.29
Current Ratio5.78
Debt/Eq4.24
EPS Growth TTM-59.90%
Returns & Margins
ROA-0.62%
ROE1.09%
Gross Margin60.93%
Operating Margin-3.50%
Profit Margin1.62%
Ownership
Insider Ownership4.91%
Institutional Ownership42.73%
Insider & Institutional transactions data not available
Valuation Ratios
P/S8.11
P/B7.30
Analyst Data
Recommendationnone
Technical Indicators
SMA20$2.12
SMA50$2.35
SMA200$2.43
RSI13.33
ATR0.1827
Shares Float849.89M
Volatility1.01
Rel Volume0.41
Performance History
Week-3.98%
Month-6.85%
Quarter-35.53%
6 Months+5.83%
YTD-17.53%
Year+50.00%
3 Years+1007.56%
5 Years+1474.38%
10 Years+1090.63%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
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Recent Price History
Date Close Volume
2026-06-18 $1.90 58,300
2026-06-17 $1.98 40,500
2026-06-16 $2.00 128,200
2026-06-15 $2.02 150,300
2026-06-12 $2.02 133,200
2026-06-11 $1.98 52,800
2026-06-10 $1.93 110,300
2026-06-09 $1.97 57,500
2026-06-08 $2.02 107,400
2026-06-05 $2.02 117,800
2026-06-04 $2.11 74,300
2026-06-03 $2.22 77,800
2026-06-02 $2.28 116,000
2026-06-01 $2.31 199,700
2026-05-29 $2.40 270,000
2026-05-28 $2.37 599,400
2026-05-27 $2.21 85,000
2026-05-26 $2.28 235,300
2026-05-22 $2.18 93,600
2026-05-21 $2.19 112,100
2026-05-20 $2.04 233,500
2026-05-19 $2.05 128,000
About DroneShield Limited

DroneShield Limited engages in the development, commercialization, and sale of counter-drone hardware and software technology in Australia, the United States, Europe, Asia, the United Kingdon, and internationally. It provides DroneSentry-C2, a command-and-control platform; DroneSentry-C2 Enterprise, a browser-based monitoring platform; DroneSentry-C2 Tactical, a rugged command-and-control solution; RfPatrol-Plugin, a mobile-first ATAK-CIV plugin; Access Portal that provides centralized access to mission-critical support and resources. The company also offers RfPatrol Mk2, a wearable solution providing true airspace awareness for military, law enforcement, and executive security personnel; DroneGun Mk4, an ultra-portable handheld countermeasure; Immediate Response Kit, a rapidly deployable counter-drone solution; and DroneGun Tactical, a portable threat long range and highly effective countermeasure. In addition, it provides DroneSentry-X Mk2, a software-defined detection and adaptive disruption system; and Expeditionary Fixed Site (EFS) Kit that transforms the DroneSentry-X Mk2 into a sensor and effector solution for wide area operations. Further, the company offers DroneSentry, an autonomous interoperable detection and countermeasure; and SentryCiv, a drone detection system that delivers 360-degree radio frequency (RF) situational awareness using its RFAI engine. It serves defence and intelligence agencies; airports, ports, prisons, data centres, and other critical infrastructure; utilities, such as power plants, electricity grids, and gas pipelines; intelligence and national security agencies; stadiums and other public event venues and organizers; and assets owners. The company sells its products through third party distributors, as well as direct relationships with various customers. DroneShield Limited was founded in 2014 and is based in Sydney, Australia.

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Income Statement (Annual)
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Revenue
Reconciled Cost Of Revenue $16,284,000 $15,137,250 $4,976,034 $2,849,001
Cost Of Revenue $16,284,000 $15,137,250 $4,976,034 $2,849,001
Total Revenue $57,529,000 $54,088,928 $16,806,723 $10,466,297
Operating Revenue $57,529,000 $54,088,928 $16,806,723 $10,466,297
Expenses
Interest Expense $459,000 - - -
Other Income Expense $1,262,000 $-372,344 $332,514 $441,687
Other Non Operating Income Expenses $1,262,000 $-372,344 $332,514 $441,687
Net Non Operating Interest Income Expense $5,454,000 $974,330 $19,098 $35,827
Interest Expense Non Operating $459,000 - - -
Operating Expense $58,364,000 $37,910,251 $16,041,290 $15,001,911
Selling And Marketing Expense $11,131,000 $11,662,611 - -
General And Administrative Expense $21,801,000 $10,539,607 $3,701,525 $4,198,330
Other Operating Expenses - $3,123,367 $4,793,504 $4,725,156
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $-1,320,000 $9,334,387 $-949,301 $-5,310,447
Net Interest Income $5,454,000 $974,330 $19,098 $35,827
Interest Income $5,913,000 $974,330 $19,098 $35,827
Normalized Income $-1,320,000 $9,334,387 $-949,301 $-5,310,447
Net Income From Continuing And Discontinued Operation $-1,320,000 $9,334,387 $-949,301 $-5,310,447
Net Income Common Stockholders $-1,320,000 $9,334,387 $-949,301 $-5,310,447
Net Income $-1,320,000 $9,334,387 $-949,301 $-5,310,447
Net Income Including Noncontrolling Interests $-1,320,000 $9,334,387 $-949,301 $-5,310,447
Net Income Continuous Operations $-1,320,000 $9,334,387 $-949,301 $-5,310,447
Pretax Income $-6,786,000 $3,166,258 $-2,928,832 $-6,398,280
Interest Income Non Operating $5,913,000 $974,330 $19,098 $35,827
Operating Income $-17,119,000 $1,041,427 $-4,210,601 $-7,384,615
Depreciation Amortization Depletion Income Statement $3,617,000 $1,522,845 $930,157 $508,821
Depreciation And Amortization In Income Statement $3,617,000 $1,522,845 $930,157 $508,821
Amortization Of Intangibles Income Statement $268,000 $14,579 $13,674 $14,610
Depreciation Income Statement $3,349,000 $1,508,266 $916,483 $494,211
Gross Profit $41,245,000 $38,951,678 $11,830,689 $7,617,296
Per Share
Diluted EPS $-0.00 $0.02 $-0.00 $-0.01
Basic EPS $-0.00 $0.02 $-0.00 $-0.01
Other
Tax Effect Of Unusual Items $0 $0 $0 $0
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $-2,710,000 $2,564,272 $-3,280,444 $-6,875,794
Reconciled Depreciation $3,617,000 $1,522,845 $930,157 $508,821
EBITDA (Bullshit earnings) $-2,710,000 $2,564,272 $-3,280,444 $-6,875,794
EBIT $-6,327,000 $1,041,427 $-4,210,601 $-7,384,615
Diluted Average Shares $624,993,012 $464,029,449 $429,980,471 $397,919,239
Basic Average Shares $624,993,012 $464,029,449 $429,980,471 $397,919,239
Tax Provision $-5,466,000 $-6,168,129 $-1,979,531 $-1,087,833
Amortization $268,000 $14,579 $13,674 $14,610
Research And Development $21,815,000 $11,061,821 $6,616,104 $5,569,604
Selling General And Administration $32,932,000 $22,202,218 $3,701,525 $4,198,330
Other Gand A $17,154,000 $2,145,807 $1,550,890 $1,501,132
Salaries And Wages $4,647,000 $8,393,800 $2,150,635 $2,697,198
Fetched: 2026-02-02
Balance Sheet (Annual)
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Assets
Net Tangible Assets $305,168,000 $74,477,420 $18,999,403 $15,545,181
Total Assets $355,879,000 $97,051,905 $25,207,052 $18,340,676
Total Non Current Assets $37,978,000 $12,407,343 $2,938,127 $1,071,371
Non Current Deferred Assets $13,739,000 $5,362,337 - -
Non Current Deferred Taxes Assets $13,739,000 $5,362,337 - -
Goodwill And Other Intangible Assets $6,419,000 $33,873 - $38,222
Other Intangible Assets $6,419,000 $33,873 - $38,222
Current Assets $317,901,000 $84,644,562 $22,268,925 $17,269,305
Current Deferred Assets $382,000 $348,994 - -
Current Deferred Taxes Assets $382,000 $348,994 - -
Prepaid Assets $12,187,000 $6,619,496 $1,437,465 $338,768
Inventory $66,678,000 $18,579,718 $3,733,416 $6,915,939
Receivables $19,165,000 $2,325,008 $6,879,183 $520,363
Other Receivables $1,837,000 $86,070 $31,478 $131,278
Accounts Receivable $17,328,000 $2,238,938 $6,847,705 $389,085
Cash Cash Equivalents And Short Term Investments $219,489,000 $56,771,346 $10,218,861 $9,494,235
Cash And Cash Equivalents $62,620,000 $56,696,346 $10,143,861 $9,419,235
Cash Equivalents $15,000,000 $20,829,391 $853,032 $3,758,558
Cash Financial $47,620,000 $35,866,955 $9,290,829 $5,660,677
Debt
Total Debt $9,107,000 $2,625,404 $596,097 $248,371
Long Term Debt And Capital Lease Obligation $8,734,000 $2,173,969 - $38,802
Current Debt And Capital Lease Obligation $373,000 $451,435 $596,097 $209,569
Current Debt - - $70,052 $56,584
Other Current Borrowings - - $70,052 $56,584
Liabilities
Total Liabilities Net Minority Interest $44,292,000 $22,540,612 $6,207,649 $2,757,273
Total Non Current Liabilities Net Minority Interest $16,459,000 $2,314,680 $64,760 $93,797
Other Non Current Liabilities $6,073,000 - - -
Current Liabilities $27,833,000 $20,225,932 $6,142,889 $2,663,476
Other Current Liabilities $20,649,000 - - -
Current Deferred Liabilities $799,000 $15,694,674 $4,555,326 $1,566,894
Current Deferred Taxes Liabilities $799,000 $370,430 - -
Payables And Accrued Expenses $4,717,000 $3,488,243 $564,231 $478,382
Payables $4,717,000 $3,488,243 $564,231 $478,382
Other Payable $2,550,000 - - -
Accounts Payable $2,167,000 $3,488,243 $564,231 $478,382
Equity
Common Stock Equity $311,587,000 $74,511,293 $18,999,403 $15,583,403
Total Equity Gross Minority Interest $311,587,000 $74,511,293 $18,999,403 $15,583,403
Stockholders Equity $311,587,000 $74,511,293 $18,999,403 $15,583,403
Gains Losses Not Affecting Retained Earnings $10,088,000 $5,473,844 $5,088,141 $5,299,211
Other Equity Adjustments $7,829,000 $5,473,844 $5,088,141 $5,175,003
Retained Earnings $-11,650,000 $-11,340,189 $-26,623,894 $-26,698,964
Other
Ordinary Shares Number $872,115,159 $611,453,611 $429,980,471 $418,226,152
Share Issued $872,115,159 $611,453,611 $429,980,471 $418,226,152
Tangible Book Value $305,168,000 $74,477,420 $18,999,403 $15,545,181
Invested Capital $311,587,000 $74,511,293 $19,069,455 $15,639,987
Working Capital $290,068,000 $64,418,630 $16,126,036 $14,605,829
Capital Lease Obligations $9,107,000 $2,625,404 $526,045 $191,787
Total Capitalization $311,587,000 $74,511,293 $18,999,403 $15,583,403
Foreign Currency Translation Adjustments $2,259,000 - - $124,208
Capital Stock $313,149,000 $80,377,638 $40,535,156 $36,983,156
Common Stock $313,149,000 $80,377,638 $40,535,156 $36,983,156
Employee Benefits $326,000 $140,711 $64,760 $54,995
Non Current Pension And Other Postretirement Benefit Plans $326,000 $140,711 $64,760 $54,995
Long Term Capital Lease Obligation $8,734,000 $2,173,969 - $38,802
Long Term Provisions $1,326,000 - - -
Current Capital Lease Obligation $373,000 $451,435 $526,045 $152,985
Pensionand Other Post Retirement Benefit Plans Current $1,071,000 $591,580 $427,235 $408,631
Current Provisions $224,000 - - -
Investments And Advances $1,166,000 $1,117,696 $42,900 $42,900
Other Investments $1,166,000 $1,117,696 $42,900 $42,900
Net PPE $16,654,000 $5,893,437 $2,895,227 $990,249
Accumulated Depreciation $-4,961,000 $-1,866,704 $-1,283,284 $-1,062,617
Gross PPE $21,615,000 $7,760,141 $4,178,511 $2,052,866
Leases $2,741,000 $913,852 - -
Construction In Progress $889,000 - - -
Other Properties $8,665,000 $2,458,497 $534,611 $198,434
Machinery Furniture Equipment $9,320,000 $4,387,792 $3,643,900 $1,854,432
Finished Goods $17,697,000 $8,047,022 $1,329,682 $935,381
Raw Materials $48,981,000 $10,532,696 $2,403,734 $1,188,047
Other Short Term Investments $156,869,000 $75,000 $75,000 $75,000
Current Deferred Revenue - $15,324,244 $4,555,326 $1,566,894
Work In Process - - - $4,792,511
Fetched: 2026-02-02
Cash Flow Statement (Annual)
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Free Cash Flow
Free Cash Flow $-75,208,000 $6,556,462 $-2,598,120 $-6,777,190
Operating Activities
Cash Flowsfromusedin Operating Activities Direct $-62,197,000 $9,482,476 $-1,765,945 $-6,309,738
Other Cash Paymentsfrom Operating Activities $271,000 $2,545,818 $2,090,914 $1,227,121
Classesof Cash Receiptsfrom Operating Activities $56,619,000 $70,921,059 $13,608,587 $13,523,747
Other Cash Receiptsfrom Operating Activities $15,000 $15,000 $75,548 $79,200
Investing Activities
Capital Expenditure $-13,011,000 $-2,926,014 $-832,175 $-467,452
Investing Cash Flow $-165,264,000 $-1,951,684 $-832,175 $-467,452
Cash Flow From Continuing Investing Activities $-165,264,000 $-1,951,684 $-832,175 $-467,452
Financing Activities
Repurchase Of Capital Stock $-12,115,000 $-2,247,081 - -
Issuance Of Capital Stock $244,872,000 $41,941,563 $3,700,000 -
Financing Cash Flow $231,889,000 $39,109,757 $3,077,866 $-86,206
Cash Flow From Continuing Financing Activities $231,889,000 $39,109,757 $3,077,866 $-86,206
Net Other Financing Charges $-432,000 $-1,137,302 $-1,263,365 $-208,239
Net Common Stock Issuance $232,757,000 $39,694,482 $3,700,000 -
Common Stock Issuance $244,872,000 $41,941,563 $3,700,000 -
Other
Income Tax Paid Supplemental Data $2,003,000 $1,699,563 - -
End Cash Position $62,620,000 $56,696,346 $10,143,861 $9,537,135
Beginning Cash Position $56,696,000 $10,143,861 $9,419,235 $16,288,772
Effect Of Exchange Rate Changes $1,496,000 $-88,064 $244,880 $111,759
Changes In Cash $4,428,000 $46,640,549 $479,746 $-6,863,396
Interest Paid Cff $-436,000 - - $35,827
Common Stock Payments $-12,115,000 $-2,247,081 - -
Interest Received Cfi $4,589,000 $974,330 - -
Net Investment Purchase And Sale $-156,842,000 - - -
Sale Of Investment $265,442,000 - - -
Purchase Of Investment $-422,284,000 - - -
Net Intangibles Purchase And Sale $-6,652,000 $-1,192,696 - -
Purchase Of Intangibles $-6,652,000 $-1,192,696 - -
Net PPE Purchase And Sale $-6,359,000 $-1,733,318 $-832,175 $-467,452
Purchase Of PPE $-6,359,000 $-1,733,318 $-832,175 $-467,452
Taxes Refund Paid Direct $-2,003,000 $-1,699,563 - -
Classesof Cash Payments $-116,813,000 $-59,739,020 $-15,374,532 $-19,833,485
Paymentsto Suppliersfor Goodsand Services $-117,084,000 $-62,284,838 $-17,465,446 $-21,060,606
Receiptsfrom Customers $56,604,000 $70,906,059 $13,533,039 $13,444,547
Fetched: 2026-02-02